Last NAV 107.7607
Number Trades
Total Quantity
Year High 109.4264 - 24/10/22
Year Low 103.7689 - 24/01/19
Reference Close 107.7607 - 24/11/21
1 Month Performance -1.43%
6 Months Performance -0.07%
Performance Year to Date +2.31%
1 Year Performance +5.76%
Legenda

Instrument Info

Instrument Type OICR APERTI
Market ATFund
Alphanumeric Code ADA113
Isin Code MT7000015665
Lot Size 1.00
Currency Denomination
Issuer
Segment
Style 0
Area MULTI ASSET
Dividends

Documents

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  • 24/11/21 - 107.7607 EUR

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Quotes, Book, Dividends, Summarised and Detailed Profile, Yield of Amagis Dynamic Alloc Tot Ret Fund L1 Eur


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